Recent Annual Filings for GLSI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,093,769 $-15,788,809 $-7,266,543 $-7,266,543
2023 $6,994,815 $-8,891,803 $-6,478,602 $-6,478,602
2022 $13,477,029 $-7,825,237 $-6,200,027 $-7,536,216
2021 $27,216,884 $-4,570,576 $-4,291,548 $2,835,442
2020 $28,676,602 $-1,862,962 $-1,152,962 $29,806,502